Summary of Key Information:
Reporting Period: Quarter Ended 30th June, 2026
Nature of Filing / Announcement: Outcome of Board Meeting and Unaudited Financial Results
Audit Opinion:
Clean Review Report - No qualifications or modifications noted
Key Financial Highlights [Amount in Lakhs]:
Standalone Results:
Revenue from Operations: ₹9,493.73 (Q1 FY27) vs ₹9,173.79 (Q1 FY26) - Increase of 3.5% YoY
vs ₹10,940.64 (Q4 FY26) - Decrease of 13.2% QoQ
Total Income: ₹10,089.57 (Q1 FY27) vs ₹9,906.42 (Q1 FY26) - Increase of 1.8% YoY
vs ₹11,405.04 (Q4 FY26) - Decrease of 11.5% QoQ
Net Profit: ₹576.79 (Q1 FY27) vs ₹718.84 (Q1 FY26) - Decrease of 19.8% YoY
vs ₹675.46 (Q4 FY26) - Decrease of 14.6% QoQ
EPS: ₹5.52 (Q1 FY27) vs ₹6.88 (Q1 FY26)
Other Equity: ₹16,232.45 (as of 30 June 2026) vs ₹15,655.66 (as of 31 March 2026)
Cash and Cash Equivalents: ₹1,731 lakhs (as of 30 June 2026) vs ₹199 lakhs (as of 31 March 2026)
Debt:
- Total Borrowings: ₹15,770 lakhs (₹12,742 lakhs non-current + ₹3,028 lakhs current)
- Previous quarter: ₹14,420 lakhs (₹8,710 lakhs non-current + ₹5,710 lakhs current)
Segment-wise Performance [Amount in Lakhs]:
Segment Revenue:
- Domestic: ₹5,998.52 (Q1 FY27) vs ₹7,123.41 (Q4 FY26)
- Foreign: ₹3,495.21 (Q1 FY27) vs ₹3,817.23 (Q4 FY26)
- Total: ₹9,493.73
Segment Results (Profit before interest, depreciation and tax):
- Domestic: ₹129.85 (Q1 FY27)
- Foreign: ₹425.21 (Q1 FY27)
- Total: ₹1,155.11 (Q1 FY27) vs ₹1,353.78 (Q4 FY26)
Capital Employed:
- Domestic: ₹11,668.98 (Q1 FY27)
- Foreign: ₹6,076.10 (Q1 FY27)
- Total: ₹17,745.08 (Q1 FY27)
Balance Sheet Highlights [As at 30 June 2026]:
Total Assets: ₹36,711 lakhs vs ₹34,964 lakhs (31 March 2026)
Non-current Assets: ₹17,252 lakhs
- Property, plant and equipment: ₹11,852 lakhs (Tangible)
- Capital work-in-progress: ₹4,737 lakhs
- Investment property: ₹12 lakhs
- Investments: ₹281 lakhs
- Other non-current assets: ₹370 lakhs
Current Assets: ₹19,459 lakhs
- Inventories: ₹7,214 lakhs
- Trade receivables: ₹5,839 lakhs
- Cash and cash equivalents: ₹1,731 lakhs
- Loans: ₹224 lakhs
- Other current assets: ₹4,451 lakhs
Total Equity: ₹17,746 lakhs
- Equity share capital: ₹1,045 lakhs
- Other equity: ₹16,700 lakhs
Total Liabilities: ₹18,965 lakhs
Cash Flow Statement [Quarter ended 30 June 2026]:
Cash Flow from Operating Activities: ₹1,193.19 lakhs
Cash Flow from Investing Activities: (₹743.17) lakhs
Cash Flow from Financing Activities: ₹1,226.50 lakhs
Net Increase in Cash & Cash Equivalents: ₹1,676.51 lakhs
Corporate Actions:
Not Specified
Other Significant Information:
- Company manufactures Galvanized Steel Wire, Wire Products, Collated Nails, Stainless Steel Nuts & Bolts
- GSTIN: 36AAACG7452M1ZA
- PAN: AAACG7452M